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2023 RMIF Annual General Meeting

News

November 15, 2023

RMIF Monthly Distribution and Net Asset Value for October 2023

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.712 per unit for the month of October 2023 payable [...]

October 20, 2023

RUSMIF Monthly Distribution and Net Asset Value for September 2023

Romspen US Mortgage Investment Fund has announced a distribution of US $0.061 per unit and a net asset value of US $10.00 per unit for the month of September [...]

October 16, 2023

RMIF Monthly Distribution and Net Asset Value for September 2023

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.719 per unit for the month of September 2023 payable [...]

September 21, 2023

RUSMIT Monthly Distribution and Net Asset Value for August 2023

Romspen US Mortgage Investment Trust (RUSMIT) has announced a distribution of CAD $0.055 per unit and a net asset value of CAD $9.985 per unit for the month of August 2023, payable September 20, [...]

September 20, 2023

RUSMIF Monthly Distribution and Net Asset Value for August 2023

Romspen US Mortgage Investment Fund has announced a distribution of US $0.064 per unit and a net asset value of US $10.00 per unit for the month of August [...]

September 15, 2023

RMIF Monthly Distribution and Net Asset Value for August 2023

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.689 per unit for the month of August 2023 payable [...]

August 18, 2023

RUSMIF Monthly Distribution and Net Asset Value for July 2023

Romspen US Mortgage Investment Fund has announced a distribution of US $0.062 per unit and a net asset value of US $10.00 per unit for the month of July [...]

August 18, 2023

RUSMIT Monthly Distribution and Net Asset Value for July 2023

Romspen US Mortgage Investment Trust (RUSMIT) has announced a distribution of CAD $0.055 per unit and a net asset value of CAD $9.986 per unit for the month of July 2023, payable August 21, [...]

August 15, 2023

RMIF Monthly Distribution and Net Asset Value for July 2023

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.663 per unit for the month of July 2023 payable [...]

August 4, 2023

RUSMIT Announces 2023 2nd Quarter Results

Romspen is pleased to announce the Romspen US Mortgage Investment Trust results for the quarter ended June 30, 2023. The 2nd quarter report can be viewed online or can be [...]

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